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Mi Twentyfour Am Dynamic Bond Fund I Income Gross Shares (0P0000SV4R)

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98.16 +0.02    +0.02%
21/11 - Delayed Data. Currency in GBP
  • Morningstar Rating:
  • Total Assets: 1.62B
Type:  Fund
Market:  United Kingdom
Issuer:  TwentyFour Asset Management LLP
ISIN:  GB00B57GX403 
Asset Class:  Bond
MI TwentyFour AM Dynamic Bond Fund I Income Gross 98.16 +0.02 +0.02%

0P0000SV4R Overview

 
On this page you'll find an in-depth profile of Mi Twentyfour Am Dynamic Bond Fund I Income Gross Shares. Learn about the key management, total assets, investment strategy and contact information of 0P0000SV4R among other information.
Category

Global Flexible Bond - GBP Hedged

Total Assets

1.62B

Expenses

Inception Date

Apr 26, 2010

Investment Strategy

The Sub-Fund aims to provide an attractive level of income along with an opportunity for capital growth, by investing in a broad range of bonds and fixed income assets. The investment policy of the Sub-Fund is to adopt a highly flexible approach that enables the Investment Manager to take advantage of prevailing market conditions as they change over time. The Sub-Fund may invest in, or otherwise obtain exposure to, debt instruments from the whole range of fixed income assets including high yield bonds, investment grade bonds, government bonds, asset-backed securities, Money Market Funds (MMFs) and other bonds (such as, for example, emerging market sovereign bonds or bank capital perpetual bonds) as determined by the Investment Manager’s view on risk and reward over time.

Contact Information

Address 11 Monument Street
London, EC3V 3ND
United Kingdom
Phone +44 20 70158900

Top Executives

Name Title Since Until
David Norris Portfolio Manager 2018 Now
Biography David joined TwentyFour in September 2018. Based in the New York office, he serves as the Head of US Credit as well as one of the portfolio managers of the Multi-Sector Bond team. He is a credit specialist with 30 years’ experience in fixed income markets gained across a variety of senior roles in asset management and investment banking in London, Frankfurt and New York. He has held leadership positions in high yield, credit derivatives, structured products and global credit trading at Credit Agricole, BNP Paribas, Greenwich Capital and UBS. Once a member of the infamous New York Cosmos soccer team, David went on to earn degrees in business at the University of British Columbia, Vancouver and law from the University of Reading in the UK.
Charlene Malik - 2018 Now
Biography Charlene joined TwentyFour in September 2018 after spending 6 years on the sell-side at Citigroup and RBS after graduating from King’s College London with a BSc in Computer Science. She is working in the Multi Sector Bond team in the portfolio optimisation role.
Dillon Lancaster - 2018 Now
Biography Dillon joined TwentyFour in early 2018 as an analyst in the Multi-Sector Bond team. His primary responsibilities involve assisting in the management and day-to-day activities of the team. Dillon graduated from Oxford University in 2017 with a BA (Hons) in Politics, Philosophy and Economics. Prior to joining TwentyFour, Dillon completed internships at NS Partners and Baylor Klein.
George Curtis - 2015 Now
Biography George joined the Multi-Sector Bond team at TwentyFour in early 2015 and works within the Portfolio Optimisation team. His primary responsibilities involve assisting in the management and day-to-day activities of the team. Prior to joining TwentyFour, George worked as a Proprietary Futures Trader at Marex Spectron for 3 years. He predominantly focused on generating ideas in rate markets and the management of trades. George graduated from the University of East Anglia with a degree in Economics.
Pierre Beniguel Portfolio Manager 2014 Now
Biography Pierre has been a Portfolio Manager in TwentyFour’s Multi-Sector Bond team since 2014. He also manages foreign currency hedging and daily funding for a number of funds and managed accounts. He has over seven years of experience, prior to TwentyFour, in fixed income and previously worked in WestLB’s credit trading and special situations divisions. Pierre graduated in Mathematics & Economics from University College London.
Felipe Villarroel Portfolio Manager 2011 Now
Biography Felipe joined TwentyFour in 2011 and is a Portfolio Manager in the Multi-Sector Bond team. Felipe’s main responsibility is managing Multi-Sector Bond funds. He is also a member of the Investment Committee. Prior to joining TwentyFour, Felipe worked as an Asset Allocation and Strategy Analyst at Celfin Capital in Chile, now part of the BTG Pactual group. There, Felipe took an active role in developing the team’s strategic view of the global macro economy and asset classes. He graduated from Pontificia Universidad Catolica de Chile with a Bachelor’s degree in Economics and Business Administration before obtaining a Masters in Finance from London Business School. Felipe is also a CFA Charterholder.
Eoin Walsh Portfolio Manager 2010 Now
Biography Eoin is on the firm’s Investment Committee, which sets the overall risk bias for the portfolios managed by the firm, and his main responsibility is managing the firm’s Multi-Sector Bond team. Eoin began his career in 1998 and has developed an expertise in fixed income markets across a variety of roles including a role at Citigroup Alternative Investments where he managed over $75 billion of fixed income assets. Eoin graduated in Accounting & Economics from the University of Limerick.
Mark Holman - 2010 2024
Biography Mark has 24 years of experience in fixed-income markets, gained in a combination of senior roles in investment banking and asset management. Mark is one of the 9 partners of TwentyFour and serves as the Firm’s Risk Manager with responsibility both for independent market risk oversight of the Firm’s investment portfolios and maintaining the Firm’s risk measurement, management and reporting framework. Before founding TwentyFour in 2008, Mark was one of the original partners at Synapse Investment Management which he founded along with Graeme Anderson in June 2006. Prior to that Mark was a Managing Director at Barclays Capital in London where he established and led various units of its European fixed income distribution business. Mark joined Barclays Capital in March 1999. Prior to that he was an executive director at Lehman Brothers where for 5 years he played a key role in helping Lehman establish their European Credit Business. Mark began his investment banking career in 1990 with Morgan Stanley in fixed income.
Gary Kirk Portfolio Manager 2010 2023
Biography Gary Kirk is a Portfolio Manager and one of the founding partners of TwentyFour AM since 2008. He is on the firm's Investment Committee, which sets the overall risk bias for the portfolios managed by the firm, and his main responsibility is managing the firm's Multi-Sector Bond team. Since 1988, Mr. Kirk has developed an expertise in fixed income markets across a variety of senior roles in asset management and investment banking, including leadership positions at Daiwa Capital, Royal Bank of Canada, CDC Group and Wachovia Bank. Mr. Kirk graduated in Biochemistry from the University of London.
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